- Company
Code. A unique code for a company.
- Client
Information button. Shortcut
to the Client Information validation table
that provides information for reporting.
- Active?
An active
code has the Active checkbox selected, making the code available and keeping
the code in effect as a valid choice.
- Primary
Company? A Primary Company is sometimes an umbrella company for
a group of companies, but even when this is not the case, one company needs to be designated as the primary company. Verify that one and only one company has the PrimaryCompany
checkbox selected.
If this is the Primary Company, be sure that the Primary
Company checkbox is selected. If this is not the primary company, then be sure to clear the
Primary Company checkbox and save.
General Information
- Company
Name. Enter
the name of the company in the Company
Name field. Abbreviate
if thirty characters or more. The company name is similar to the description
field found on other validation tables.
- Address
1, Address 2. Enter the street address portion of the mailing
address in the Address 1 field. If
necessary, a floor number or suite number can be entered in the Address 2 field.
- City.
Enter the
name of the city or town in the City
field.
- State. From
the State drop-down list, select
the state.
- Zip.
Enter the United States' postal zip code in the Zip
field.
- Phone.
Enter the
new company's entire phone number (including
the area code) into the Phone
field, using the format established by your organization.
- Fax. Enter
the Fax number for the organization.
- Reference
Number. Record
reference information regarding this company. This reference number is
for information-only. Later, the reference number can be used for reporting
purposes.
- Contact
Name. Enter
a company Contact Name.
- Contact
Password (optional). Enter
the password for the Contact in
the ContactPassword field.
- Company
Logo button. A
shortcut to the Company Logo Table.
Payroll Payment Account Info
Complete all payment, payroll, and account information. The
payroll EECheck
Forms and EE ACH Transactions
fields determine where the funds will be drawn from to pay employees’
checks and ACH transactions, respectively.
- EE
Check Forms. From
the Bank Accounts Table, this describes where the funds are drawn from
to pay those employees being paid a check form of net pay.
- EE
ACH Transactions. From
the Bank Accounts Table, this describes where the funds are drawn from
to pay those employees being paid a direct deposit (also called an ACH)
form of net pay.
- Deduction
Payments. From
the Bank Accounts Table, describes where the funds will be drawn from
to pay Vendor Liabilities created from deductions (Vendor codes and Employee
Deductions Detail records).
- Tax
Payments. From
the Bank Accounts Table, the Tax Payments field-entry designates the account
where funds are drawn from to pay tax-agency liabilities created during
payroll processing from employee tax withholdings and employer tax liabilities.
- Tax
Agency Escrow Pay Acct. This
account is where to escrow the payable account for tax liabilities.
- Vendor Ded
Escrow Pay Acct. This
account is where to escrow the payable account for escrowed deduction-liabilities.
Payroll Processing Invoice Info
Where the company is a client of a payroll service organization,
complete the Payroll Processing Invoice information.
- SBO
Invoice Vendor Code. Choose the SBO vendor code to be paid for services and invoice
items. An SBO should set itself up as a Vendor in the Vendor Codes Table.
Reporting uses the SBO Invoice Vendor entry to break out Service Fees
from other deductions.
Note: The
SBO Invoice Vendor Code must be unique. This Code must be set up for invoice
generation and payment to occur. This field determines the method of payment
to the Service Bureau, Payroll Check or ACH, and the Company Name for
the invoice.
- Client
Invoice Payment Account. Select
the client account to fund the SBO-service invoice payment in the Client Invoice Payment Account field.
(Available entries come from the Bank Accounts Codes Table.) From the
Bank Accounts Table, describes
where the funds will be drawn from to pay the SBO service fees and invoice
items created during payroll processing (Company Codes Table/Invoice Items).
- Invoice
Terms Code. Select
invoicing terms in the Invoice Terms
Code field (available terms come from the Payment Terms Policy
Table).
- PO
Reference. ;Enter
available PO Reference information
for use by the third-party administrator (SBO) to track the client’s account.
- Sales
Tax %. Enter
the Sales Tax %, as applicable, for services and invoice items provided
to the client by the third-party administrator (SBO).
- Courier
Name and Courier Acct No. Enter the company's
Courier Name and Courier Account Number to complete the Payroll Processing Invoice Info section of the
Company Codes Table setup.
- Kind of Company. The kind of company identifies both the kind of payer and kind of employer for year end reporting. For instance, "T-1, 501c Employer - 941 Payer" = 941 Payer and 501c non-govt Kind of Employer while "Y-1, St/Loc 501c-941 Payer" = 941 Payer and State/local 501c.
Escrow Information
(to Escrow Payroll Check and Direct Deposit Payments)
- Client
Check Form Payment Acct. Use
the client check form payment account
to designate the bank account that will fund the SBO for the Employee
Checks drawn from the service organization's
bank account.
- Check
Net Pay Sweep Vendor Code.
Use
the Check Net Pay Sweep Vendor
field if the Employee Checks are drawn from the service organization's bank
account.
- ACH
Net Pay Sweep Vendor Code.
Use
the ACH Net Pay Sweep Vendor field
if the Employee ACH Transactions are drawn
from the service organization's bank account.
- Client
Sweep ACH Account. Use
the Client Sweep ACH Account to
designate the bank account that funds the SBO for the Employee ACH Transactions
drawn from the service organization's
bank account.
EE Net Pay Funding Sweep Account Information
(to Escrow Payroll Check and Direct Deposit Payments)
Complete the "EE Net Pay Account Info" section
for clients who will escrow their payroll check and ACH payments.
Note: If the Employee
Checks and ACH Transactions are drawn directly from the client's bank
account, leave these four fields blank: Check
Net Pay Sweep Vendor, Client Sweep
Check Account, ACH Net Pay Sweep
Vendor, and the Client Sweep ACH
Account.
- Client
Check Form Payment Acct. The Client
Check Form Payment Acct is the client's account used to fund the
employee check fund for the vendor sweep.
- Check
Sweep Vendor Code. Designate the vendor that receives the
swept employee-check funds in the Check
Sweep Vendor Code field.
- Client
ACH Trans Payment Acct. The client ACH transaction payment account field is the client's account used to fund
the employee ACH transactions for the vendor sweep.
- ACH
Sweep Vendor Code. Designate the vendor that receives the
swept employee ACH Transaction funds in the
ACH Sweep Vendor Code field.
Row of Shortcut Buttons
Shortcut buttons are hidden when the Company Codes Table
is accessed from another screen instead of from a menu.
- Service
Dates. Shortcut to the Company Service
Dates table that provides company service date integration to manage
new client's outstanding liability payment creation and effective periods
for tax reporting.
- Bank
Accts. Shortcut to the Bank Accounts table
that provides company bank accounts for all ACH and check payments and
can optionally define additional information for printing on tax forms.
- Manual Check. Access to designate a Manual Check Payment Account. This button is enabled when the Company Codes screen is not in add or edit mode and is only enabled where (a) a Check Sweep Vendor Code is defined and (b) where the bank account codes values for Client Check Form Payment Acct and EE Check Forms are different. This is to ensure that check net pay sweep transactions exist for the client. For more information, see direct Manual Check Funding.
- Locations.
Shortcut to the Location Codes validation table that
provides the first tier organizational structure below the company level
and can be defined with different banking information and accounts then
the company to further break-out specific bank accounts for particular
payrolls.
- Agencies.
Shortcut to the Tax Agency Codes validation table
that provides the tax agencies for reporting and paying tax liabilities.
- Vendors.
Shortcut to the Vendor Codes validation table that
provides that provides the vendors for all benefits, deductions, payroll
service invoicing, and escrow entities.